THE SWINGING SIXTIES AND BEYOND – THE INFLUENCE OF THE SECOND WAVE UNIVERSITY LAW SCHOOLS IN THE DEVELOPMENT OF AUSTRALIAN LEGAL EDUCATION EmEritus ProfEssor DaviD BarkEr am* I IntroductIon During the three decades after the establishment in 1960 of the Australian National University (ANU) Faculty of Law there was an impetus to expand Australian law schools. Perhaps the expanding economy at the time increased the demand for additional lawyers. There was also a view ‘[t]hat any course at a university should be open to all who were qualified for it and wished to undertake it’1 which was supported by various government reports on tertiary education at the time. This perception also reflected a change of attitude in the school leavers of the 1960s who were the initial post-war generation (the ‘baby boomers’). Increasingly, the majority stayed at school until Year 12 (then sixth form) and were the first members of their families to go to university. This was partly due to the creation of fee-free tertiary education after the election of the Whitlam Government on 5 December 1972, which led to the expansion of Australian law schools. There was also a noticeable change during this period in law teaching in Australia. Not only was this reflected in the increased number of tertiary law teachers (due to the increase of law students and an expansion of law schools), but also in the calibre of law teachers. Up and until that time there had been a trend of law teachers being engaged part-time, balancing teaching with practising law—the latter being their primary focus. However, from 1960 onwards there was a greater focus on learning skills incorporating a more conceptual approach to the study of law. These changes in the nature and quality of law teaching required a shift in the qualities and approach of those appointed as law teachers. The majority were now required to serve full-time with little or no time to devote to legal practice. As Michael Coper has observed, up until this time the focus of legal teaching ‘was strongly professional and vocational.’2 The increased emphasis on conceptual learning replicated what had occurred in the United States in 1870 when Christopher Langdell introduced the ‘Casebook’ method of teaching into Harvard Law School. This led to the appointment of what was described by Robert Stevens as ‘the first of a new breed of academic lawyer, a law graduate with limited experience of practice who was appointed for his scholarly and teaching potential.’3 There was a similar pattern in the previous composition of North American law teachers: ‘law professors had been either practitioners taking a few hours away from the office to conduct classes, or full-time teachers who had had extensive experience as practitioners before appointment.’4 This shift in the experience of law teachers lead to differences in the approach to teaching law in the law schools established during this period, which in this paper will be called the * Australasian Legal Information Institute (AustLII), Faculty of Law, University of Technology Sydney. This article is based on materials included in the author’s recent PhD Thesis titled ‘A History of Australian Legal Education’ (submitted to the School of Law, Macquarie University). 1 Peter Balmford, ‘The Foundation of Monash Law School’ (1989) 15 Monash University Law Review 139, 155. 2 Michael Coper, ‘Law Reform and Legal Education: Uniting Separate Worlds’ in Brian Opeskin and David Weisbrot (eds), The Promise of Law Reform (Federation Press, 2005) 388, 391. 3 Robert Stevens, Law School: Legal Education in America from the 1850s to the 1980s (University of North Carolina Press, 1983) 38. 4 Ibid. 7 Journal of the australasIan law teachers assocIatIon ‘Second–Wave’ law schools. These were the first moves away from what were regarded as the prevailing forms of legal education, which emphasised: that studying law is mainly a matter of acquiring knowledge; that coverage is more important than depth; that what legal subjects one covers in primary legal education is more important than whether they are good vehicles for intellectual training; and that one is finished with academic study, critical analysis and even reading as soon as one graduates.5 These views would be gradually replaced by what has been described as the ‘truisms’ of legal education transformed into practical working principles.6 This new thinking advocated: that education is a life-long enterprise; that most higher education should be self-education; that the main role of undergraduate education is learning how to learn; that standard distinctions between academic and practical, theory and practical, theory and practice, liberal and vocational are false dichotomies that are mischievous as well as misleading; and that any body of lawyers worth preserving must take seriously its claims to be a learned profession.7 However, it would be a mistake to suppose each of the ‘Second-Wave’ schools was established with the same objectives. Nevertheless, the law schools under scrutiny in this paper illustrate the statement made in 1978 by Michael Kirby in his then role as the first Chair of the Australian Law Reform Commission (ALRC) that: ‘there is not a shadow of doubt that legal education both in content and method will change rapidly in the last quarter of this century.’8 In support of his view, Kirby quoted Professor Derham, the foundation Dean of Monash University (Monash) Law School who had told a conference in 1976: We are now … in a period of profound and rapid change in our society … The work of bringing our ‘black letter law’ into tune with the needs of the time is arduous and exacting work calling for high scholarship and developed legal skills … If it is not done, not only lawyers but the law itself will fall into disrepute.9 II Monash unIversIty law school An extra law school in Victoria outside the University of Melbourne, was established in 1963 because Melbourne’s original law school was unable to satisfy the demand for an expansion in legal education within the State.10 When Monash was founded in 1958,11 becoming the first university in Victoria since the University of Melbourne was established in 1853, it was intended that the teaching of law would commence in 1965. However the opening of the Monash Law School was brought forward from 1965 to 1963 following a letter from Professor Zelman Cowen, the Dean of the Law Faculty at the University of Melbourne, to the Vice-Chancellor of Monash, Dr Matheson. The letter stated that Melbourne Law School had received in excess of 600 applications from potential law students but that it would only be able to accept half this number in accordance with a quota set by the University of Melbourne for first-year entry in 1961.12 Zelman Cowen expressed a preference for a second law school in Victoria, which was supported by Vernon Wilcox, a senior partner in a leading firm of city solicitors in Melbourne; GC Wyatt, the President of the Victorian Law Institute; and 5 William Twining, ‘Preparing Lawyers for the Twenty-first Century’ (1992) 3(1) Legal Education Review 1, 2. 6 Ibid 9. 7 Ibid 2. 8 Roman Tomasic (ed), Understanding Lawyers (Law Foundation of New South Wales, 1978) 9. 9 Ibid. 10 Balmford, above n 1, 146. 11 The Monash University Act 1958 (Vic). 12 Balmford, above n 1, 146. 8 the swIngIng sIxtIes and Beyond Sir Edmund Herring, the Chief Justice of Victoria, who was also the President of the Victorian Council of Legal Education.13 There was another interesting development when the opening of Monash Law School was being discussed. This was the unprecedented action by the Victorian Council of Legal Education in establishing a temporary law course in 1962 under the aegis of the Council of the Royal Melbourne Institute of Technology (RMIT), with participating students allowed to use the libraries of the Supreme Court of Victoria and the Law Institute of Victoria. Although temporary, the course operated for 21 years. During this time, 545 students completed the course and qualified for admission, while others subsequently transferred to Monash Law School where they completed their academic requirements for admission.14 The Council of Legal Education’s qualifying course from the 1960s to the 1980s allowed RMIT (now a university) to claim that it was the legitimate successor to the legal practitioners’ course formerly taught at its institution. Monash’s Professorial Board recommended: ‘That a Dean of the Faculty of Law be appointed as soon as possible, with the first duty of making recommendations to the Council upon the best way of establishing a Faculty of Law (and that) law students should not be accepted until adequate additional finance is available.’15 Monash was in the process of making a submission on finance to the Australian Universities Commission, the main governmental body at that time, so that it was able to amend its application to request financing for the staff and buildings of the new law school. While the Australian Universities Commission was able to fund the staffing of the law faculty, it was unable to support a new building to accommodate the new law school during the 1964–66 triennium. Although no funds were available for the construction of a new law school building, the funding for the staffing of a law program encouraged Monash to proceed to establish the law school. The selection of a dean of high standing and eminence was axiomatic in enabling the new law school to set high standards in education and to attract well qualified and experienced law academics. In this respect, the appointment of Professor (later Sir) David Derham, the then Professor of Jurisprudence at the University of Melbourne, was an inspired choice.
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